The absorption costing income statement is as follows: Sales (55,000 × $10) =$550,000 COGS (55,000 × $7) =385,000 Gross margin = 165,000 Var. S&A expenses (55,000 × $1) = $55,000 Fixed S&A expenses 30,000 & 85,000 Net income 80,000
The conventional income statement, also known as the absorption costing income statement, is produced using absorption costing. In this financial statements, costs are broken down into product costs and period costs to examine costs.
A managerial accounting technique known as "absorption costing," also known as "full costing," is used to record all expenses related to producing a specific product. This strategy accounts for both direct and indirect costs, including direct materials, direct labour, rent, and insurance.
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What most accurately describes the difference between diminishing returns and diseconomies of scale?.
However, the two concepts are significantly different, as the law of diminishing returns refers to a decrease in production output as a result of an increase in only one input, while diseconomies of scale refer to an increase in cost per unit as a result of an increase in output.
In economics, diminishing returns is the decrease in marginal (incremental) output of a production method as the amount of a single component of production is incrementally multiplied, preserving all different elements of production equal (ceteris paribus). The law of diminishing returns (additionally referred to as the law of diminishing marginal productivity) states that inefficient tactics, increasing a component of production by one unit, whilst preserving all other production elements regularly, will some unspecified time in the future return a decreased unit of output in line with an incremental unit of entering. The law of diminishing returns no longer motivates a lower in standard production capabilities, as a substitute it defines a point on a production curve wherein producing a further unit of output will bring about a loss and is called negative returns.
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Considering the two main types of data, if facts and figures are newly collected for a project, which type of data is being collected?.
Considering the two main types of data, if facts and figures are newly collected for a project, the type of data is being collected is primary data.
What is Data?Data are raw and unprocessed information.
They are inputs that after processing will help generate information.
The information generated from a processed data are used in solving various problem and objective.
Primary data contains raw fact, figures that are collected form various observations.
Therefore, primary data are facts and figures are newly collected for a project.
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sales are expected to grow by 14% next year. assuming no change in operations from this year to next year, what are the projected spontaneous liabilities? do not round intermediate calculations. round your answer to the nearest dollar.
Projected spontaneous liabilities is $4,560.
What is spontaneous liabilities?
A company's obligations that naturally accrue as a result of its regular operations are known as spontaneous liabilities. An increase inside a company's cost of sales, which are the expenses related to production, is typically linked to a rise in spontaneous liabilities. Fixed costs don't fluctuate with sales volumes, like the cost of the a factory building, so they aren't regarded as unforeseen liabilities. Since they outcome from modifications in sales activity, spontaneous liabilities are referred to as "spontaneous." In other words, sales or production volumes, rather than the firm itself, directly control spontaneous liabilities.
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for job-order cost system, which statement is not correct? group of answer choices products are manufactured to order. indirect materials are charged to specific jobs. direct labor is assigned to a job using information from the employee time ticket. many different products, each with individual and unique features, are produced each period.
For job-order cost system, which statement Indirect materials are charged to specific jobs is not correct. The cost of manufacturing each product is calculated using the job order technique of pricing.
This costing method is typically used when the producer has to determine the cost for performing a specific task while producing a number of items that differ from one another. Professional services like those provided by doctors, attorneys, and chartered accountants, for instance, are client-specific. The price of these services is therefore determined using the job order costing method.
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menton co has 7 percent, semiannual coupon bonds outstanding with a current market price of $1,023.46, a par value of $1,000, and a yield to maturity of 6.72 percent. how many years is it until these bonds mature?
Mento's 7% semiannual coupon bonds with a current market price of $1,023.46, a par value of $1,000, and a yield to maturity of 6.72% will mature in 59 years (or period 118).
How is the maturity period determined?The maturity period is the time when the bonds' face value will be repaid.
The maturity period can be computed using an online finance calculator.
The relevant figures to input in the calculation include the yield to maturity rate, the semiannual coupon payment (3.5% of $1,000), the current market price, and the future value.
I/Y (Interest per year) = 6.72%
PV (Present Value) = $1,023.46
PMT (Periodic Payment) = $35 ($1,000 x 7% x 1/2)
FV (Future Value) = $1,000
Results:
N = 118.109
= 59 years (118.109/2)
Sum of all periodic payments = $4,133.81
Total Interest = $2,110.35
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What decision support strategy uses a technique based on a non-linear predictive model that creates a hidden-layer analysis of input information that is defined using training and observed behaviors?.
Using a method based on a non-linear predictive model, the decision tree support strategy generates a hidden-layer analysis of the input data.
A decision tree is a tool for modelling probable outcomes, resource costs, utility costs, and potential consequences. It has a tree-like structure. The presentation of algorithms with conditional control statements can be done using decision trees. They have branches that stand in for choices that might end in a good outcome.
Taking known outcomes and creating a model that can forecast values for novel occurrences is known as predictive modelling. To forecast upcoming events, it makes use of historical data.
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eleven years ago, a guitar cost $1,800. today, that same guitar costs $3,650. what has been the inflation rate on this instrument? a) 6.64 percent b) 6.32 percent c) 6.57 percent d) 6.81 percent e) 6.49 percent
Eleven years ago, a guitar cost $1,800. today, that same guitar costs $3,650. what has been the inflation rate on this instrument is 6.64 percent.
The CPIH items annual inflation rate multiplied to 13.2% in September 2022, from 13.0% in August, following a 0.7% boom withinside the month. Between August and September 2022, CPIH offerings rose through 0.2%, which supposed that the once-a-year inflation fee rose to 5.3% in September 2022, from 5.1% in August the inflation fee yrs. over yrs. is 8.202% (in comparison to 8.263% for the preceding month). Inflation from August 2022 to September 2022 become 0.215%.
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the u.s. computes that $3 trillion of gdp was produced in the second quarter of 2014. what, if any, adjustments will it make to this number when it reports gdp for the second quarter?
If any GDP adjustment is made to this number when it reports GDP for the second quarter, it will adjust for seasonality and multiple by four.
GDP (gross domestic product) is the market value of all goods and services produced by an economy during a period of financial year. It considers all the goods and services produced within the national territory of nation.
It serves as a thorough scorecard of the economic situation in a specific nation since it is a broad predictor of total domestic manufacturing. And although GDP is commonly calculated on a yearly basis, it may also be calculated quarterly or semiannually. The private consumption and community consumption, public spending, investments, tends to increase in private inventory levels, compensated infrastructure costs, and the international trade balance are all considered in the computation of a nation's gross Domestic product. (Imported goods are subtracted from the value while exports are incorporated.)
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i buy a perpetuity from a bank today for $200. in five years, after collecting each year’s payment, i then offer to sell the perpetuity back to the bank. if interest rates haven’t changed, what should the perpetuity be worth at that time?
Worth of the perpetuity after 5 years is to be calculated using discounted cash flow (DCF) analysis. [P.V.×(rate) ] × 5 will be the worth of perpetuity at the time of selling
A perpetuity is a type of investment that pays forever. In the world of finance, perpetuity refers to an endless succession of identical cash flows. A perpetuity is an agreement with ongoing recurring payments that last forever.
The recurring payment must equal the present value multiplied by the interest rate. A perpetuity is a kind of annuity which is perpetual, lasting eternally. An endless period of time passes while the value of cash flows continuously.
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Suppose windell corporation understates its ending inventory amount. What effect will this have on the reported amount of net income in the year of the error?.
If windell corporation understates its ending inventory amount, it will have an understated net income.
What is Understate net income?
Companies can overestimate earnings in the future by understating them now, giving themselves a buffer for future bad trade periods and projecting a sense of stability. In order to satisfy investor and analyst demands for extremely consistent and predictable earnings, accounting cushions are used.
If ending inventory is overstated, net income will be understated as well. The cost of goods sold, which is an expense, will be inflated if the ending inventory is overstated. Net income will therefore be understated.
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.37 portfolio return: a portfolio's value increases by 15% during a financial boom and by 8% during normal times. it decreases by 10% during a recession. what is the expected return on this portfolio if each scenario is equally likely?
In case X signifies a discrete irregular variable and f(x) signifies the likelihood mass work of X, at that point the anticipated esteem of X can be calculated as:
E(X)=∑x⋅f(x)
Arithmetic Cruel: This can be a basic normal of all information values in a test. It is calculated by taking the entirety of all the information and separating this by the estimate of the sample.
Weighted Cruel: An normal can too be computed by relegating diverse weights or probabilities to each information esteem. The entirety of the weighting variables must be rise to to one. Each calculate than duplicates the information esteem as they are summed.
Median: The middle is another degree of central tendency, which is unaffected by exceptions within the information. It signifies the 50 percentile in a information set. Answer
The portfolio's value:
increases by 15% amid a monetary boom increases by 5% amid typical times decreases by 13% amid
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people ask a lot from leaders of their organization, including which of the following? (check all that apply.) multiple select question. a fun work environment support for personal development respectful and fair treatment competence and proper management
people ask a lot from leaders of their organization - competence and proper management, support for personal and respectful and fair treatment
What is leader?
The ability of a person, group, or organisation to "lead," influence, or guide other people, groups, or entire organisations is referred to as leadership, both as a field of study and also as a practical skill. The term "leadership" is frequently seen as a contentious one. The subject is debated in specialised literature from various points of view, sometimes contrasting Eastern and Western leadership styles as well as (within the West) North American vs European styles. Leadership is "a process of social influence through which an individual can enlist the aid and support of others for the attainment of a common and ethical task," according to academic environments in the United States. Leadership is essentially an influential power relationship in which the strength of one group (the "leader") encourages others to move or change (the "followers").
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an investor purchases a treasury inflation protection securities (tips) bond with a 4% coupon. if during the first year the inflation rate is 9%, the approximate principal value of the security will be
The principal value of security at the end of the year will be $4360.
In this question, we are assuming that value of the principal amount of bond investment be $4000
The calculation is done by taking the inflation rate which is 9% as compared to coupon rate 4%. The rate of Interest taken as 9% as the inflation rate is greater in comparison to the coupon rate.
The TIPS bonds are referred to as the Treasury-Inflation Protected Security bonds and as the name defines if the inflation rate beats the coupon rate of bonds it's applied to the appreciation.The coupon rate over these bonds is usually lower than the average inflation rate every year as it allows the investors feel secured that their money is at least at par with rate of inflation.The calculation of principal value of such bonds at the maturity of one year can be calculated using the given formula,Principal value= Amount invested × (1 + Inflation rate)
Putting all the values in the formula we get,
Principal value = 4000 × ( 1+ 0.09 )
= 4000 × 1.09
= 4360
Therefore the principal value of the bond is obtained as $4360.
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tickets today contracts with the producer of riverdance to sell tickets online. tickets today charges each customer a fee of $6 per ticket and receives $15 per ticket from the producer. tickets today does not take control of the ticket inventory. average ticket price for the event is $150.
$21 revenue should Tickets Today recognize for each Riverdance ticket sold because both the fee from the customer and the producer are earned.
Customers' fee = $6
Producer's fee = $15
Total fee income = 15 + 6 = $ 21
Each Riverdance ticket sold should generate $21 in revenue.
Ticket Now has managed to sell the ticket (which is believed to be non-refundable) and has completed the required task (selling the tickets), so the revenue of $21 should be recognized.
Here is the complete question-
Tickets Today contracts with the producer of Riverdance to sell tickets online. Tickets Today charges each customer a fee of $6 per ticket and receives $15 per ticket from the producer. Tickets Today does not take control of the ticket inventory. Average ticket price for the event is $150.
How much revenue should Tickets Today recognize for each Riverdance ticket sold?
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If merchandise inventory is being valued at cost and the price level is steadily rising, the method of costing that will yield the highest net income is.
The method of costing that will yield the highest net income if merchandise inventory is being valued at cost and the price level is steadily rising is FIFO (first-in, first-out).
First In, First Out, commonly known as FIFO, can be described as an asset-management and valuation method in which assets produced or acquired first are sold, used, or disposed of first. First In, First Out assumes that assets with the oldest costs are included in the income statement's cost of goods sold (COGS).
To calculate FIFO (First-In, First Out) method we have to determine the cost of your oldest inventory and multiply that cost by the amount of inventory sold.
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the main idea of billy beane avoiding to steal bases is because he dislikes making outs on the base paths. the management team believed that the biggest risk to not stealing bases was the missed opportunities that could result, such as on balls in play and consequently more runs.
Billy Beane despised "making outs on the base paths," which was his main justification for not wanting to steal bases.
Management concluded that the missed opportunities to steal bases and eventually score more runs posed the greatest danger. He used a straightforward strategy to steal the bases. From a, risk standpoint math clearly demonstrated how the risks of trying to commit a theft outweighed their advantages.
Overall, Billy Beane and the management staff wanted to win by limiting and eliminating the danger of failing to complete a steal and avoiding making outs on the base paths. Billy mentioned that as they were trying to manipulate the game, albeit math's worked and the risk exceeded its reward.
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the timberlake-jackson wardrobe co. has 7 percent coupon bonds on the market with 9 years left to maturity. the bonds make annual payments and have a par value of $1,000. if the bonds currently sell for $961.50, what is the ytm?
If the bonds currently sell for $961.50, is the yet 7.61%
How is annual pay determined?To calculate the monthly income, divide the earned income by the number of months worked. To calculate the annualized wage, multiply the monthly income by 12 (the number of months in a year).
Describe a bond.When they need to raise money, governments and businesses issue bonds. By purchasing a bond, you are effectively lending the issuer money. In exchange, they commit to repay you the face amount of the loan on a particular date and to make periodic interest payments—typically twice a year—along the way.
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According to the reading, what were the city’s secular purposes for displaying the crèche? check all that apply.
The display of creche is sponsored by the city to celebrate the Holiday and to depict the origins of that Holiday.
What does secular means?
In English, secular is basically used to distinguish something (like as an attitude, belief, or position) that isn't specifically religious in nature . Secularism promote the right of individuals to freedom of religion is balanced by the right to be free from religion.
Why is secularism important?Secularism raises questions about how we will balance freedom of, and from, religion with the other rights. These are few of the most important questions which raise in all of the humanities, from religious and belief education to citizenship, and from the history.
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what will happen to the equilibrium in the market for a good if demand and supply increase simultaneously? equilibrium quantity will always increase equilibrium price will always decrease equilibrium quantity will always decrease equilibrium price will always increase g
If the equilibrium in the market for a good if demand and supply increase simultaneously then the equilibrium quantity will always increase equilibrium price will always decrease.
An equilibrium fee is a balance of demand and delivery factors. there is a bent for costs to return to this equilibrium until some traits of call for or deliver exchange. modifications within the equilibrium rate arise whilst either demand or deliver, or each, shifts or circulate.
A market is in equilibrium if on the market fee the amount demanded is the same as the amount provided. The fee at which the quantity demanded is the same as the amount furnished is called the equilibrium fee or market clearing fee and the corresponding amount is the equilibrium amount.
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You have been hired as ceo of a new company focused on providing home health services. What could you do to establish a strong and positive organizational culture?.
To establish a strong and positive organizational culture craft organizational vision, values, and goals.
Why is having a strong culture vital for an organization?Businesses can fuel their staff, help them realize their potential, and give consistency and direction by creating a strong corporate culture. Even though organizational culture is an essential component of a company, long-term employees may not always notice it.
What kind of innovation broadens the uses of already-existing technologies while reflecting ongoing technological advancement?The majority of innovations are little, constant enhancements to already-existing ideas, goods, or services in the market.
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The possibility that poor sales were due to rejection of the health claims by the european union indicates that this product failure was primarily due to _______.
The likelihood that the European Union's denial of the health claims contributed to the product's low sales suggests that business analysis played a major role in this failure.
Business analysis: What is it?
Business analysis is the process of identifying a company's poor sales, completing tasks to ascertain those needs using specialized approaches, and then advocating adjustments and offering solutions that add value for the stakeholders or health claims. Software systems development is a common component of solutions, but they can also involve process improvements, organizational change, strategic planning, and policy creation. Product failure, Planning and management of requirements are steps in the business analysis process, Elicitation of Requirements, Analysis and documentation of requirements
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terry, the owner of river city flooring, is driven by competition. his company sells and installs custom flooring, cabinets, and countertops. river city flooring focuses on customers by delivering quality results on tight deadlines. terry pushes his managers to continually exceed their productivity goals because that is what increases profits
Terry pushes his managers to continually exceed their productivity goals and Terry feels "there is not enough time for training." However, his employees are regularly rewarded for their success in meeting company goals, River City Flooring has an) adhocracy culture.
What is adhocracy culture?Adhocracy culture can be defined as the process in which companies tend to adapt to new changes occurring in their organization so as to achieve a goals.
Most companies or organization tend to make use of adhocracy culture to run their day to day operation or when they want to accomplish a task or when they have a target to meet.
This scenario best illustrate what is called adhocracy culture based on the fact that the owner of the company tend to always pushes his managers to exceed their productivity goals
Therefore the correct option is D.
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The complete question is:
Terry, the owner of River City Flooring, is driven by competition. His company sells and installs custom flooring, cabinets, and countertops. River City Flooring focuses on customers by delivering quality results on tight deadlines. Terry pushes his managers to continually exceed their productivity goals because that is what increases profits. Terry feels "there is not enough time for training." However, his employees are regularly rewarded for their success in meeting company goals, River City Flooring has an) culture. Multiple Choice O hierarchy market clan O o adhocracy
suppose warren buffet withdraws $1 million from his checking account at chase bank. if the required reserve ratio is 20 percent, what is the maximum change in deposits in the banking system?
$5 million is the maximum change in deposits in the banking system.
Demand deposit growth is limited by the equation ADD = AER/r, which also provides the maximum growth rate. Demand deposit growth (ADD), excess reserves (AER) in the banking system, and required reserve ratio (RRR) are all related terms.
We have to find the deposit maximum change in the banking system which results from withdrawal. The formula to find this is given below,
Change in deposits to be checkable = change in reserves in excess×[tex]\frac{1}{r}[/tex]
r is the reserve requirement or reserve ratio and is given by 20%,
20%= [tex]\frac{20}{100}[/tex]
=0.2
Change in reserves in excess is the withdrawal amount given as $ 1 million.
Therefore, the change in deposits can be calculated as,
1 million×[tex]\frac{1}{0.2}[/tex]
=1×5
=5
Therefore, in the particular banking system, the maximum change in deposits can be $5 million.
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The ____ phase in the business cycle is a period when the level of business activity rises and gdp grows.
The expansion phase in the business cycle is a period when the level of business activity rises and GDP grows.
The business cycle refers to the flow of business and the highs and lows that are experienced by a particular business sector. A business cycle has four stages- expansion, peak, contraction, and trough.
The expansion stage is the first stage, where the business is slowly growing, developing, and expanding. This level gives a rise in business, and an increase in income, which leads to a rise in the GDP.
Then comes a peak stage where the business is at its highest point. Then comes contraction, where the expansion ends, and the business comes down a little. This is a period when the income decreases. The trough is the next stage, where the contraction period decreases, and the business slowly goes on again to the expansion phase.
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annette is currently in the 24% marginal tax bracket. she had a long-term capital gain from the sale of stock and another capital gain from a coin collection. assuming that the combined gains are not large enough to push her into a higher marginal bracket, she will be taxed
She will pay taxes on the gain from selling the stock at a rate of 15% and the gain from selling her coin collection at a rate of 24%, assuming that the total profits do not put her in a higher marginal tax bracket.
The marginal tax rate is the amount of tax you pay for every dollar of increased income. In the US, as income rises, so does the individual federal marginal tax rate. This taxation strategy, known as progressive taxation, tries to tax people in accordance profits with their income, with low-income earners paying less in taxes than high-income earners.
The rate that is applied to the taxpayer's taxable income under a marginal tax rate is often determined by grouping taxpayers into tax bands or ranges. The final dollar of income is taxed at a greater rate than the first dollar as income rises. In other words, the first dollar made is taxed at the lowest rate, the final dollar earned is taxed at the highest profits rate for that total income, and all money generated in between is taxed at the rate for the range into which it falls.
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The complete question is
Annette is currently in the 24% marginal tax bracket. She had a long-term capital gain from the sale of stock and another capital gain from a coin collection. Assuming that the combined gains are not large enough to push her into a higher marginal bracket, she will be taxed _______% on the gain from the sale of stock and _____% on the gain from the coin collection.
journal entry worksheet on january 1, the company purchased equipment that cost $10,000. the equipment is expected to be worth about (or has a salvage value of) $1,000 at the end of its useful life in five years. the company uses straight-line depreciation. it has not recorded any adjustments relating to this equipment during the current year.
The business employs straight-line depreciation and has a net profit of $188,000 During the current year, it has not documented any adjustments pertaining to this equipment.
A company's net profit, also known as net earnings, net income, or colloquially "the bottom line," is determined by adding up all of its expenses and deducting them from its revenue. The depreciation result shows how much the business has made or lost over a given accounting period, which could be one month, one quarter, six months, or one year.
A company's net profit is its profit after operational costs and any other costs, such as depreciation, interest, and taxes, have been subtracted from total revenue. This definition applies to depreciation any entity that does business, including individuals, organizations, and companies.
Date General Journal Debit Credit
Dec.31 Depreciation expenses 1800
Equipment $1800
(Being entry recorded for depreciation expense)
Explanation- Straight line Method-
= Cost of asset- Salvage value of asset/No. of useful life (years)
=($10000-$1000)/5 years
=$9000/5 years
= $1800
Year 2019 depreciation expense = $1800
STARK COMPANY
INCOME STATEMENT
FOR THE YEAR ENDED DECEMBER 31
PARTICULARS AMOUNT
$
Service Revenue 35000
Less-Expenses
Supplies expense 260
Interest expense 560
Insurance expense 2100
Utilities expense 1600
Depreciation expense 3500
Wages expense 7800
Total expenses 15820
Net profit 19180
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Minimum wage in America should increase. Do you agree with this statement? Why or why not?
According to the ucc, for the sale of goods that requires shipping, the presumption is that unless stated otherwise, the seller need only deliver the goods to __________ to complete performance.
Based on this question the answer is the buyer. So, the seller need only deliver the goods to the buyer to complete the performance.
The Uniform Commercial Code (UCC) has provisions that require some sale of goods contracts to be in writing and aim to be legally enforceable. The UCC's provisions are known as the Statute of Frauds.
In closing a sale under the Uniform Commercial Code (“UCC”), the first question to consider is whether the goods are conforming. Goods are conforming if they are precise as agreed upon in the build-up to the transaction.
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calculate the unemployment rate based on the following data for a country: population: 200, employed workers: 140, labor force: 160, discouraged workers: 10. select one: a. 10% b. 7.15% c. 12.5% d. 18.75%
The unemployment rate of the country given its data on the labor force and the number of employed workers is 12.5%.
What is the unemployment rate?The unemployment rate of a country is the percentage number of people in the labor force that do not have a job. The unemployment rate is the ratio of the unemployed to the total labor force. A person is considered unemployed if he does not have a job, is between the ages of 17 and 65 and is actively looking for a job.
A discouraged worker is a person who has been unemployed for a long while and has stopped looking for employment. A discouraged worker is not considered to be part of the labor force. The labor force is the sum of the employed workers and the unemployed workers.
Unemployment rate = (number of unemployed workers / total labor force) x 100
Labor force = employed workers +unemployed workers
Unemployed workers = labor force - employed workers
160 - 140 = 20
Unemployment rate = (20 / 160) x 100 = 12.50%
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the manager is reviewing the implementation of the transitional relationship model (trm) on a care area. which data should the manager identify that supports the successful implementation of this model? select all that apply.
For the Transitional Relationship Model (TRM) to be implemented successfully, the management should identify the following data: Clients are discharged 5 days earlier than previously, and the number of readmissions has decreased 6% during the past 2 months.
Unless a therapeutic relationship is established with a public care provider, the transitional relationship model (TRM) supports clients discharge by offering peer support and hospital staff participation.
An indigenous technique was used to analyse qualitative data in order to learn about people's perceptions and experiences with TRM implementation as well as to assist pinpoint the major problems that were either facilitating or impeding it.
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